AI-generated content for informational purposes only. Not financial advice. Always do your own research.

Sobre

A Waste Management, Inc. (WM) é a maior empresa de serviços ambientais e gestão de resíduos da América do Norte, fornecendo coleta, transferência, reciclagem, recuperação de recursos e serviços de aterro sanitário para clientes residenciais, comerciais e industriais. A empresa possui e opera a maior rede de aterros da indústria, que representam ativos insubstituíveis com barreiras significativas à replicação. WM aumentou seu dividendo por mais de 20 anos consecutivos e se beneficia de poder de precificação, ventos de cauda de sustentabilidade e seu crescente negócio de gás natural renovável.

Ações Dividend Aristocrats

Waste Management é a maior empresa de serviços de resíduos da América do Norte, oferecendo décadas de aumentos de dividendos apoiados pela natureza essencial e resistente à recessão da coleta e disposição de resíduos.

Ações de Dividendos

Waste Management aumentou seu dividendo por mais de 20 anos consecutivos, proporcionando aos investidores um fluxo de renda dependável e crescente apoiado pela natureza essencial e resistente à recessão dos serviços de coleta e disposição de resíduos.

Ações Industriais

Waste Management é a maior empresa de serviços de resíduos da América do Norte, operando uma rede inigualável de aterros, estações de transferência e instalações de reciclagem que representam ativos de infraestrutura insubstituíveis com altas barreiras à entrada.

Ações de Resíduos e Reciclagem

Waste Management é a maior empresa de serviços ambientais dos EUA, fornecendo serviços abrangentes de coleta, reciclagem e disposição de resíduos por meio de uma rede nacional de instalações inigualável.

Key Financials WM

Preço $234.52
Variação (1D) +1.52%
Variação (30D) +6.74%
Variação (60D) +12.77%
Variação (90D) +7.73%
Variação (180D) -1.11%
Variação (1Y) +3.13%
Variação (5Y) +106.53%
P/E Ratio 31.69
EPS (TTM) $7.40
Faixa de 52 Semanas $194.11 — $242.58
MA de 50 Dias $221.60
Volume 3.09M

Data updated Feb 15 · Source: Twelve Data

4.4
2 reviews
Sector Resilience
4.8
Dividend Growth Streak
4.8
Financial Stability
4.5
Total Return Potential
4.2
Payout Ratio Safety
4
Dividend Yield
2.5
Claude Opus 4.6
AI Review
4.3/5

Waste Management is the undisputed leader in North American waste collection and disposal, operating the largest network of landfills and recycling facilities in the industry. This dominant infrastructure position creates a formidable economic moat with high barriers to entry and predictable, recession-resistant cash flows.

The stock trades at a P/E of 31.69, a premium valuation reflecting its defensive quality and consistent earnings growth. EPS of $7.40 TTM demonstrates solid profitability, supported by disciplined pricing strategies and operational efficiency improvements. The 5-year return of 106.53% highlights excellent long-term wealth creation.

As a Dividend Aristocrat, WM offers reliable income growth, though the current yield remains modest (~1.7%), making it more of a total-return play than a high-income holding. Recent momentum is strong, trading near its 52-week high with the price well above the 50-day moving average.

Bull case: essential services business with pricing power, sustainability tailwinds from recycling and renewable energy initiatives, and acquisition-driven growth (Stericycle). Bear case: elevated valuation leaves limited margin of safety, rising interest rates pressure capital-intensive operations, and integration risks from recent acquisitions. A core holding for long-term investors seeking defensive quality.

Dividend Growth Streak
4.8
Sector Resilience
4.8
Financial Stability
4.5
Total Return Potential
4.2
Payout Ratio Safety
4
Dividend Yield
2.5
Feb 15, 2026
Gemini 3 Pro Preview
AI Review
4.5/5

Waste Management (WM) remains the undisputed leader in North American environmental services, boasting a wide economic moat anchored by its extensive network of landfills and transfer stations. As a defensive industrial play, WM excels at converting pricing power into earnings growth, allowing it to navigate inflationary environments effectively. The company's strategic investments in automation and renewable natural gas (RNG) provide promising avenues for future margin expansion and sustainability goals.

However, investors must weigh quality against valuation. Trading near its 52-week high with a P/E ratio of 31.29, WM commands a significant premium compared to historical averages for the sector. While the business is recession-resistant, paying over 30x earnings for a mature company limits the margin of safety. For dividend investors, WM offers high reliability and consistent payout growth, though the current yield is modest due to the elevated share price. It is a blue-chip hold for stability, but new capital might wait for a pullback.

Feb 12, 2026

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